Compare AU
Compare E200 vs. ETF
Compare shares and ETFs on the ASX that you can trade on Pearler.
Overview
When it comes to investing in the Australian stock market, shares and ETFs are a popular choice. Two options in the ASX are E200 and ETF. In this comparison, we'll delve into these options across various dimensions to help you make an informed investment decision.
Community Stats
E200 | --- | |
---|---|---|
Popularity | Low | N/A |
Pearlers invested | 25 | 0 |
Median incremental investment | $1,030.70 | - |
Median investment frequency | Monthly | N/A |
Median total investment | $2,285.49 | $0 |
Average age group | > 35 | N/A |
Key Summary
E200 | --- | |
---|---|---|
Strategy | E200.AX was created on 2020-07-31 by SPDR. The fund's investment portfolio concentrates primarily on large cap equity. The ETF currently has 57.14m in AUM and 102 holdings. The SPDR S&P/ASX 200 ESG ETF seeks to closely match, before fees and expenses, the returns of the S&P/ASX 200 ESG Index. | N/A |
Top 3 holdings | Commonwealth Bank of Australia (14.37 %) BHP Group Ltd (9.83 %) CSL Ltd (6.24 %) | |
Top 3 industries | Financials (51.18 %) Materials (21.23 %) Health Care (10.62 %) | |
Top 3 countries | Australia (94.38 %) United States (3.29 %) New Zealand (1.72 %) | |
Management fee | 0.05 % | N/A |
Key Summary
E200 | --- | |
---|---|---|
Issuer | SPDR | N/A |
Tracking index | S&P/ASX 200 ESG Index - AUD | N/A |
Asset class | ETF | Stock |
Management fee | 0.05 % | N/A |
Price | $26.27 | $-- |
Size | $57.105 million | N/A |
10Y return | N/A | N/A |
Annual distribution/βdividend yield (5Y) | 6.42 % | - % |
Market | ASX | ASX |
First listed date | 04/08/2020 | N/A |
Purchase fee | $6.50 | $6.50 |
Community Stats
E200 | --- | |
---|---|---|
Popularity | Low | N/A |
Pearlers invested | 25 | 0 |
Median incremental investment | $1,030.70 | - |
Median investment frequency | Monthly | N/A |
Median total investment | $2,285.49 | $0 |
Average age group | > 35 | N/A |
Pros and Cons
E200 | --- | |
---|---|---|
Pros |
| |
Cons |
|
E200 | --- |
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Exposure to more markets and sectors | Exposure to 1 market and 1 sector only |
Higher dividend/distribution yield | Lower dividend/distribution yield |